One of the most remarkable biological insights in the past 30 years has been that many genetic programs for complex traits, such as flower or limb development, are shared across broad groups of organisms. These conserved pathways in turn can be tuned to produce tremendous phenotypic differences, not only between, but also within species. Intraspecific variation is often quantitative, one example being the onset of flowering, although there is also qualitative variation, such as in the ability to resist pathogens.

While many tools for quantitative genetics were developed by breeders, the model plant Arabidopsis (Arabidopsis thaliana) was adopted for studying the genetic architecture of quantitative traits soon after molecular markers for mapping became available (Chang et al., 1988; Nam et al., 1989). The species belongs to a small genus with nine members. Different from most of its congeners, Arabidopsis is self-compatible, and its life cycle can be as short as 6 weeks, both properties that greatly facilitate genetic studies. Its native range is considered to be continental Eurasia and North Africa (Al-Shehbaz and O'Kane, 2002), but it has been introduced throughout much of the rest of the world, especially around the northern hemisphere.

The potential of genetic variation to inform many different areas of Arabidopsis biology was most strongly advocated by Maarten Koornneef and his students. From the mid-1990s, they published both an impressive number of original research articles on this subject and a series of influential review articles that advertised the impact that the study of natural genetic variation could have on questions of both development and physiology (Alonso-Blanco and Koornneef, 2000; Koornneef et al., 2004).

Today, the study of natural variation in Arabidopsis continues to reveal new biology. In addition, the entire genus is increasingly being used to address fundamental questions of evolution (Mitchell-Olds and Schmitt, 2006; Bergelson and Roux, 2010). Some of the problems studied are: How, and how frequently, do new variants arise? Why do some variants rise to high frequency, while others are eliminated? And why are certain combinations of new variants incompatible with each other? Here, I will first give an overview of the tools and resources available for the study of natural variation in Arabidopsis. Next, I will present a few examples of how our knowledge of important biological processes has been improved through insights obtained from varieties other than the common laboratory accessions. Where similar or contrasting findings have been made in other species of the Brassicaceae, to which Arabidopsis belongs, I will mention these. The article concludes with a discussion of recent work that aims to integrate evolutionary and ecological studies with functional tests.

A final introductory note: Natural accessions of Arabidopsis have in the past often been referred to as “ecotypes.” This term implies that a line has a unique ecology and is adapted to specific environments, as opposed to differing only in genotype from other varieties (Turesson, 1922b). Preferable is the neutral term accession, which merely means that a unique identifier in a collection has been assigned (Alonso-Blanco and Koornneef, 2000).

GENETIC TOOL KIT FOR THE STUDY OF NATURAL VARIATION

Experimental Populations for Genetic Mapping

Accessions of Arabidopsis vary in a number of traits (Fig. 1; Table I). The most general way to identify genes is by crossing two accessions, which may or may not have a different phenotype, but produce nonuniform F2 progeny. In the F2 or later generations, specific phenotypes are then associated with segregating genetic markers that distinguish the contributions from the parental genomes. When phenotypic classes are not discrete, this is done using the methods of quantitative trait locus (QTL) mapping (Falconer and Mackay, 1996).

Gross morphological variation in Arabidopsis and relatives. A, Variation between Arabidopsis accessions. On top, vegetative rosettes of accessions grown for 4 weeks in long days are shown. They vary in rosette diameter and compactness, leaf shape, and tissue necrosis or onset of senescence. Similarly, variation in size and shape of individual leaves, in this case the sixth in the rosette, is apparent in the 10 examples shown on the bottom left. Finally, differences in overall architecture are illustrated with five plants. On the left is an early flowering accession with few rosette leaves. The next two flower later, but the second one from the left has reduced apical dominance. Finally, the two accessions on the right have similarly tall main inflorescences but differ in the number of secondary inflorescences. The appearance on the far right is common among wild-grown plants. B, Some characters, such as flower size and fruit shape, vary relatively little within Arabidopsis, but more dramatic variation is found in comparison with closely related taxa, such as Capsella rubella (left) and A. lyrata (right). Images courtesy of Eunyoung Chae, Sang-Tae Kim, and George Wang.

Because marker analysis used to be very tedious and expensive, substantial efforts were invested early on into producing recombinant inbred lines (RILs), which constitute immortal populations in which recombinant chromosomes have been fixed through inbreeding (Reiter et al., 1992; Lister and Dean, 1993; Fig. 2). RILs, which were first developed in mice (Bailey, 1971), have the advantage that they need to be genotyped only once but can be phenotyped repeatedly for many different traits and under different environmental conditions. An advantage of Arabidopsis is its self-compatibility, so that inbred lines can be easily generated by selfing and single-seed descent. Around 60 RIL populations are available from the stock centers as of the time this article is written (end of 2011; http://www.inra.fr/internet/Produits/vast/RILs.htm, http://www.arabidopsis.org/ and http://www.arabidopsis.info/). Importantly, the lengthy inbreeding process can now be bypassed through a revolutionary technology introduced by the laboratory of Simon Chan. This method allows the facile production of doubled haploid plants from recombinant populations (Ravi and Chan, 2010).

Populations for mapping genes causing trait variation. Colors indicate contribution from different parental accessions. Only one chromosome pair is shown for each individual. HIF individuals are derived from RILs, in which a small portion of the genome is still heterozygous.

Even after five or six generations of inbreeding, which is customary for RILs, a small percent of the genome remains heterozygous. This turns out to have its own benefits. In such a heterogeneous inbred family (HIF), only a small portion of the genome segregates for the two parental alleles (Tuinstra et al., 1997). Additional recombinants that further reduce an interval of interest are easily derived from heterozygous HIF individuals, as are near isogenic lines (NILs) that are homozygous for either parental allele at this locus. A disadvantage of HIF-derived NILs is that each HIF has a unique genome composition and that one can therefore not easily place several QTL in a common genetic background.

NILs that carry only a small genomic region from one parent in a background that is otherwise composed of the genome of the other parent can also be generated directly by repeated backcrosses (Fig. 2). Such NILs, pioneered in crops where they are also called introgression lines (Seevers et al., 1971; Rhodes et al., 1989; Eshed and Zamir, 1995), are powerful for systematic analyses of interactions between genes from different genomes, although epistatic interactions among alleles from the introgressed genome are mostly lost. The properties of NIL sets are in many ways complementary to those of RILs, and they are particularly useful when introgression is performed in two directions (Törjék et al., 2008). NILs can identify QTL of smaller effect but with lower resolution than RIL populations (Falconer and Mackay, 1996; Keurentjes et al., 2007).

Although the genomes of RILs already contain more recombination events than F2 populations and therefore afford higher mapping resolution, this can be further increased with advanced intercross RILs, in which individuals from the F2 and later generations are intermated before inbred lines are derived (Darvasi and Soller, 1995; Balasubramanian et al., 2009). Other approaches involve the use of multiple parents, as in the MAGIC (for multiple advanced generation intercross) and AMPRIL (for Arabidopsis multiparent RIL) populations (Fig. 2; Kover et al., 2009; Huang et al., 2011). The MAGIC design is more elaborate and generates more recombination events per line than the AMPRIL strategy, but the founder genomes are less evenly represented in the final lines. Mapping in either population is more complex than with RILs, but with a sufficiently high density of intermediate frequency markers, one can infer the most likely local founder genotype. Even more so than simple F2 or RIL populations, AMPRILs and MAGIC lines are likely to contain genotypic combination not found in the wild.

QTL mapping accuracy increases with the MAGIC and AMPRIL populations, but not all possible QTL that can be found in pairwise crosses between some of the parents are detected. An alternative would be to combine the most informative subsets of RIL populations and to perform a joint QTL analysis. Especially when genotyped with common markers, a joint analysis can confirm common QTL (Bentsink et al., 2010; Salomé et al., 2011b).

Some of the advantages of using RIL-type populations will continue to apply in the future. Trait values, especially those with low heritability, can be estimated more precisely due to replication (Soller and Beckmann, 1990; Mackay, 2001). Perhaps most importantly, one can study correlations between different traits, which can reveal fitness trade-offs, and reaction norms, the response of a specific genotype to different environments. However, not every geographic region where Arabidopsis is found is fairly represented in the available RIL populations because geographic sampling of Arabidopsis has so far been rather uneven (Fig. 3). Thus, forward genetics in additional material, even if composed mostly of F2 populations, will likely be informative. Fortunately, with reduced representation approaches such as restriction-associated DNA sequencing (RAD-seq) or genotyping-by-sequencing (Baird et al., 2008; Elshire et al., 2011) and multiplexing of genomic DNA from many individuals (currently, at least 96), costs for interrogating thousands of markers have dropped to a few U.S. dollars.

Distribution of over 7,000 Arabidopsis accessions collected from the wild and available in the stock center or soon-to-be-released collections. Western and southern Europe, including Great Britain, is heavily overrepresented, although sampling is not even. Accessions from the presumed native range are in yellow and likely introductions in red. Whether the distribution across China to Japan is continuous with the native range is unclear. Arabidopsis has been reported in additional locales, such as South Korea, and several African countries (Alonso-Blanco and Koornneef, 2000). Maps courtesy of George Wang.

Finally, a general caveat when performing conventional genetic mapping is that chiasma frequencies differ between accessions (Sanchez-Moran et al., 2002). Data from F2 populations also support the conclusion that recombination rates vary depending on the cross (Salomé et al., 2011a). Thus, the ease with which loci are mapped will differ from cross to cross, even more so if structural variants interfere with recombination near the loci of interest.

Identification and Validation of Causal Genes and Polymorphisms

After a genomic interval underlying phenotypic differences has been identified, there are various options to track down the responsible gene, assuming that only a single gene is causal. Different from induced mutations, simply resequencing a region with dozens or more genes is on its own generally not informative because of the high number of polymorphisms that distinguish an arbitrary pair of accessions, about 1 in every 200 bp. Fortunately, compared to other multicellular organism in which natural variation is studied, Arabidopsis has the enormous advantage that almost all accessions are quite easily transformed by dipping flowering plants into a suspension of Agrobacterium tumefaciens containing a T-DNA vector with the transgene of interest (Clough and Bent, 1998).

If the final mapping interval does not contain a gene previously implicated in the trait of interest, one of the first steps will often be to investigate whether null alleles affect this trait. For the vast majority of genes, T-DNA insertion lines in the reference Columbia-0 (Col-0) background are available from the stock centers (http://arabidopsis.org, http://arabidopsis.info; for review, see Alonso and Ecker, 2006). The most straightforward approach to investigate the activity of individual genes in other genetic backgrounds is gene silencing, and collections of vectors for knocking down a large fraction of genes present in the reference genome are available, both for conventional hairpin RNA interference and artificial microRNAs (amiRNAs; for review, see Ossowski et al., 2008b). Gene silencing is a convenient tool to test the relative activity of alleles, an approach that we have called quantitative knockdown (Schwartz et al., 2009). It is conceptually related to quantitative complementation, where different alleles are examined in the hemizygous state, by crossing a homozygous strain to a tester that carries a knockout allele of the gene of interest (Mackay, 2001; Fig. 4).

Quantitative complementation and knockdown to determine whether QTL are allelic to a candidate gene. Both tests rely on quantitative comparisons between genotypes; the dashed boxes indicate phenotypic differences to the genotype to the left. In a quantitative complementation test, one determines whether the two QTL alleles, Q1 and Q2, are differentially affected when heterozygous with the wild-type (wt) or mutant (mut) allele of a candidate gene (Mackay, 2001). If the QTL alleles respond differently, i.e. if in this example only Q1 complements the mutant phenotype, the candidate gene and the QTL are probably allelic. Similarly, in a quantitative knockdown experiment, a differential effect of an amiRNA (amiR) against the candidate gene indicates that the Q1 allele has lower activity than Q2 and that the candidate gene is likely responsible for the QTL.

As an alternative, one can introduce genomic fragments spanning the region of interest to identify the gene(s) affecting the trait under investigation. Transgenic complementation also allows the examination of chimeric genes in different backgrounds to pinpoint the causal region, or even nucleotide, within an allele. A possible complication arises from the fact that the addition of an extra wild-type copy of an independent gene in the same pathway can quantitatively affect the phenotype and thus confound the interpretation of the observed phenotypes. An attractive feature of amiRNAs is that one can engineer transgenes that do not change the encoded protein but do not respond to silencing by a specific amiRNA anymore (Palatnik et al., 2003). One can thus use an amiRNA to knock out the endogenous gene and at the same time introduce a variant copy of the gene that is not affected by the amiRNA. This allows in essence the functional replacement of one allele with another.

A final word of caution: Spontaneous mutations are not as rare as one might think, with direct measurements indicating about one new single base pair mutation per haploid genome and generation (Ossowski et al., 2010). Thus, not every genetic variant that distinguishes accessions must be a natural variant in the sense that it was present in nature. Indeed, there are now several reports of mutations with large phenotypic effects that were segregating in an accession and may only have arisen after the accession was collected. Two of these cases affect parents of commonly used RIL populations, Landsberg erecta-0 and Bayreuth-0 (Doyle et al., 2005; Loudet et al., 2008; Laitinen et al., 2010). Thus, even if misidentification of an accession has been ruled out, which is not uncommon (Anastasio et al., 2011; Simon et al., 2011), there can be true genetic and phenotypic differences between accessions that share recent common ancestry.

WHOLE-GENOME RESOURCES FOR THE STUDY OF NATURAL VARIATION

Enabling Genome-Wide Association Studies

Genetic mapping in crosses is greatly facilitated when genome-wide polymorphisms, or better yet the entire genome sequences, of the investigated accessions are known. If a sufficient number of genome sequences is available, one can even dispense with experimental crosses and exploit shared ancestry to directly identify common alleles that are responsible for phenotypic variation in the entire population. This approach was first proposed for human, already before the first finished human genome sequence was in sight (Lander, 1996; Risch and Merikangas, 1996). Because obtaining complete genome sequences for many individuals of the same species was out of question at the time, it was proposed to rely on linkage disequilibrium (LD). LD refers to the fact that in most species there has not been enough historic recombination to produce all possible combinations of physically adjacent polymorphisms, but rather that sequence variants are normally found in haplotype blocks of various lengths. Thus, a causal polymorphism can in principle be identified indirectly through its association with any of the other sequence variants in its haplotype block (Kruglyak, 1999; Jorde, 2000). The term that is normally used today for this experimental strategy is genome-wide association study (GWAS). A shortcut that reduces the required genotyping effort has been to make use of prior information and to first focus on genes already shown to affect a trait of interest (Long et al., 1998; Caicedo et al., 2004; Olsen et al., 2004; Balasubramanian et al., 2006; Ehrenreich et al., 2009), but this has become largely obsolete today.

While the principles of GWAS are easy to understand, important limitations arise from population structure, that is, not all investigated individuals being equally distantly related to each other. Powerful methods have been developed to correct for population structure, but how to reliably detect alleles that are largely fixed between populations remains a challenge. Other issues are allelic heterogeneity, that is, alleles at a single locus with similar effects on gene function having arisen repeatedly; or complex genetic architecture, where many different genes affect the same trait. A recent article by Myles et al. (2009) provides an excellent primer of the challenges for GWAS.

As with RIL analyses, the selfing nature of Arabidopsis is a boon for GWAS, since each accession needs to be genotyped or sequenced only once but can be phenotyped many times. Magnus Nordborg almost single-handedly convinced the Arabidopsis community of the feasibility and usefulness of GWAS approaches, even before high-density genotype information was available (Aranzana et al., 2005; Zhao et al., 2007). While initial estimates of LD in Arabidopsis were too high (Nordborg et al., 2002, 2005), it finally turned out that LD in the global population extends over not more than about 5 to 10 kb, or one to two genes, which is very convenient for GWAS (Kim et al., 2007). It is thought that the relatively low LD reflects a history of frequent outcrossing together with rapid dispersal enabled by the selfing mode of reproduction.

The first enterprise with the goal of finding a large fraction of sequence variants used high-density custom arrays with almost one billion unique oligonucleotides to interrogate the genomes of 20 accessions, including the Col-0 reference accession (Clark et al., 2007). This set was chosen to be maximally diverse based on a previous analysis of 96 accessions, from which about 1,000 short fragments distributed throughout the genome had been dideoxy sequenced (Nordborg et al., 2005). The most important information to come from the array-based resequencing study was a collection of hundreds of thousands of nonsingleton single nucleotide polymorphisms (SNPs) that could be used for GWAS (Kim et al., 2007). About 216,000 SNPs, or one every 0.5 kb, have been subsequently typed in over 1,000 accessions (Horton et al., 2012), chosen from a larger panel of more than 5,000 accessions for which information from 149 intermediate frequency markers was available (Platt et al., 2010). The high density of SNPs meant that a typical haplotype block was tagged with several SNPs, which made GWAS in Arabidopsis right away more powerful than in humans. Despite similar LD characteristics, GWAS in human initially used only about 1 SNP per 6 kb (Wellcome Trust Case Control Consortium, 2007).

Prospects of GWAS in Arabidopsis

Several proof-of-concept examples have now been published, indicating that GWAS will often be successful in Arabidopsis. In the first comprehensive study, over 100 different morphological, physiological, and molecular traits were analyzed in 96 to 192 accessions (Atwell et al., 2010). In several cases, known genes were rediscovered, and in many others, plausible candidates were identified with high precision. The most impressive results, in agreement with previous pilot studies (Aranzana et al., 2005), were obtained for disease resistance, which is often controlled by single genes with very large effects. This is in contrast with humans, where effect sizes of QTL detected by GWAS are often small (McCarthy et al., 2008; Manolio et al., 2009).

The utility of GWAS can be increased by making use of prior information, such as functional data from mutant studies, gene annotation, or membership of genes in specific regulatory networks to prioritize GWAS candidates (Aranzana et al., 2005; Schadt et al., 2005; Atwell et al., 2010; Chan et al., 2011). Similarly, QTL mapping in experimental populations can greatly reduce the portion of the genome that one has to consider for the location of GWAS QTL (Brachi et al., 2010; Nemri et al., 2010). This approach becomes particularly powerful when both strategies are directly integrated using experimental populations with several parents, so that alleles pinpointed by GWAS are represented in multiple founder backgrounds. The term nested association mapping has been coined for this approach, which was pioneered in maize (Zea mays; Yu et al., 2008; McMullen et al., 2009). Arabidopsis populations, such as the MAGIC lines and AMPRILs, serve a similar purpose (Kover et al., 2009; Huang et al., 2011). An alternative will be to examine several independent RIL populations. An advantage of using RIL sets over F2 individuals in this case is that for each set of founders, the lines can be chosen to be maximally informative in terms of contribution of the founder genomes, thus greatly reducing phenotyping efforts (Xu et al., 2005; Simon et al., 2008).

Because of the plasticity of plant development and physiology, the influence of genes on the phenotype is very often dependent on the environment, often codified as gene-by-environment or GxE interaction. Similarly, the effects of individual genes are often modified by other genes in the genome because genes do not act on their own but form more or less complex functional networks. When genes have nonadditive effects, this is called GxG or more commonly an epistatic interaction. While the identification of epistatic QTL is standard fare for mapping in experimental populations (Mackay, 2001), this continues to be a major challenge for GWAS. This has been suggested to be computationally and statistically feasible several years ago (Marchini et al., 2005), and several computational strategies have been developed since (Mitchell-Olds, 1995; Cordell, 2009; Kam-Thong et al., 2011). However, I am not aware of an example where all variants were used in a GWAS to detect epistatic loci. Here again, mapping in experimental populations, perhaps in combination with network reconstruction (Rowe et al., 2008; Jiménez-Gómez et al., 2010; Kerwin et al., 2011), should help to reduce the search space for GWAS of epistatic loci.

A Proliferation of Genome Sequences

In addition to the anonymous SNPs for the first generation of GWAS in Arabidopsis, array-based resequencing revealed tens of thousands of amino acid replacements along with hundreds of more drastic mutations that are likely to eliminate the function of many genes in various accessions. In addition, a large percentage of the reference genome was found to be missing in each accession (Borevitz et al., 2007; Clark et al., 2007; Zeller et al., 2008; Plantegenet et al., 2009). This implied that, conversely, the reference accession Col-0 likely lacked a substantial portion of genes present in other accessions. The analysis of individual loci had already shown that some gene families could differ greatly between accessions. Foremost are the disease resistance genes of the nucleotide-binding site-Leu-rich repeat (NB-LRR) class, with both presence/absence polymorphisms and highly divergent alleles in different accessions (Grant et al., 1995; Caicedo et al., 1999; Noël et al., 1999; Stahl et al., 1999; Rose et al., 2004). A logical next step was therefore to scrutinize the genomes of accessions for sequences not represented in the reference genome. With the advent of new sequencing technologies, this goal became attainable at a reasonable cost. Even before these methods were exploited to the same end for human genomes, it was shown that they not only gave an accurate account of small-scale polymorphisms in Arabidopsis genomes but that they could also be used to detect copy number variants and to assemble sequences absent from the reference (Ossowski et al., 2008a).

The 1001 Genomes Project for Arabidopsis was announced in 2007 (Nordborg and Weigel, 2008; Weigel and Mott, 2009). The initial proposal was to pursue a two-pronged hierarchical strategy for defining the pangenome of Arabidopsis. The first hierarchical aspect was a sampling of accessions throughout the range of Arabidopsis such that diversity could be analyzed at global, regional, and local scales. Thus, rather than equidistant distribution of samples, it was envisioned that the project would include regional populations separated by distances measured in kilometers as well as individuals from within local stands spaced only meters apart. The second hierarchical aspect was to produce genome sequences at different levels of accuracy and completeness such that a relatively small number of highly accurate and complete genomes would inform the analysis of a much larger number of genomes that had not been completely assembled. The rationale behind this proposal was that mere lists of sequence variants that result from simple resequencing approaches, in which sequence reads are only aligned to a target genome, can be misleading. Specifically, because of false-negative problems, trying to reconstruct contiguous sequences by superimposing known isolated polymorphisms on the reference genome information can be problematic. To overcome these limitations, two groups have introduced reference-guided assembly approaches (Gan et al., 2011; Schneeberger et al., 2011), in which the Col-0 reference genome (Arabidopsis Genome Initiative, 2000) is first used to identify portions of the genome that are conserved in other accessions. Gaps are then filled in by assembling sequence reads and anchoring them to the known bits. As expected, multiple out-of-phase insertions or deletions in coding sequences can combine to restore open reading frames (Schneeberger et al., 2011). Similarly, additional mutations can make up for defects in splice acceptor or donor sites, as can be inferred from transcriptome analysis by RNA sequencing (Gan et al., 2011). The error rates of these reference-guided assemblies in single-copy regions were close to what was deemed as the lower acceptable bound in the initial reference genome sequencing project, about 1 in 10,000 bp (although final error rates in the reference genome were probably only about one-fifth; Ossowski et al., 2008a).

As expected from previous resequencing studies, up to 2% of reference positions were judged to be absent from the new assemblies. Conversely, up to 0.6% of the new assemblies represented sequences not found in the reference genome (Gan et al., 2011; Schneeberger et al., 2011). Because the new sequencing technologies generate more error-prone and shorter reads, and the insert sizes for paired-end sequencing libraries are generally smaller as well (Metzker, 2010), there are limits to closing gaps between regions that are well conserved relative to the reference genome. That bases present in the reference, but missing from a nonreference accession, outnumber the opposite class severalfold indicates the shortcomings of the reference-guided assemblies, since it should be equally likely that insertions and deletions occur on either lineage. We are thus currently faced with a paradox: >90% of the euchromatic portion of an accession’s genome can be sequenced for a few hundred dollars, but the remainder can only be recovered when investing many hundred or thousand times that amount. This is particularly relevant because some of the most interesting genes in the genome, such as many disease resistance genes, reside in highly variable gene clusters with often nearly identical tandem repeats that are even challenging for assembly from dideoxy sequenced bacterial artificial chromosomes or fosmid clones (Noël et al., 1999).

While the most common approach for the identification and annotation of variants has been comparison against the reference, a multiple alignment consensus benefits the evaluation of complex alleles (Gan et al., 2011). However, with the rapid increase in the number of genome sequences, simple all-against-all comparisons will soon not be feasible anymore because of the time required to perform them. It has therefore been proposed to represent the pangenome, that is, the collection of all possible sequence variants along each chromosome, in a single data structure as a graph, which would both facilitate the identification of polymorphisms in newly sequenced genomes and their classification as shared or unique (Schneeberger et al., 2009).

Insights from Comparing Genome Sequences

Apart from supporting forward genetic studies in Arabidopsis, genome sequences have increased our understanding of the evolutionary history of the species. Array-based comparison of 20 accessions revealed only a single large region in the genome that was shared by the majority of accessions, indicative of this region having experienced recent and strong selection in many different populations (Clark et al., 2007). Remarkably, the much more fine-grained information from short-read sequencing of 80 lines did not substantially change this picture of strong selective sweeps being rare, even though population differentiation along the genome is not uniform (Cao et al., 2011).

In addition to local polymorphism patterns that are shaped by selection and demography, there are consistent chromosomal-scale differences that are probably caused by molecular and genetic factors, such as mutation, recombination, and biased gene conversion. One of these is an excess of polymorphisms in regions adjacent to the centromeres (Borevitz et al., 2007; Clark et al., 2007), which has also been reported in Medicago truncatula and rice (Oryza sativa), but not in maize (Gore et al., 2009; Huang et al., 2010c; Branca et al., 2011). The interpretation of polymorphism patterns in Arabidopsis has also benefited from the high-quality reference sequence available now for the close relative Arabidopsis lyrata (Hu et al., 2011). In agreement with lack of conservation between the two species reflecting either that sequences are dispensable or subject to species-specific positive selection, regions found only in Arabidopsis are more polymorphic than shared regions (Cao et al., 2011).

Utility of Genome Sequences

As of the time that this article was written (end of 2011), over 100 genome sequences for Arabidopsis had been published. In addition, sequence data for over 300 additional accessions were already publicly available. In aggregate, commitments for over 700 accessions had been made, indicating that the initial goal of 1,001 genome sequences would be reached well before the end of 2012 (http://1001genomes.org).

Several of the Arabidopsis genome sequences were immediately useful. For example, the Landsberg erecta accession is commonly used for mutant screens, and its genome sequence is facilitating the mapping and analysis of induced mutations. Similarly, several of the accessions are parents of RIL populations (Ossowski et al., 2008a; Schneeberger et al., 2009, 2011; Gan et al., 2011), and their genome sequences are aiding the identification of polymorphisms responsible for QTL. Genome sequences also provide an inventory of potential knockout mutations, which is informative given that a considerable fraction of natural genetic variation is due to loss-of-function alleles. Examples are new alleles of PHYTOCHROME D (PHYD) and FRIGIDA LIKE1 (FRL1), for which before only single alleles were known (Aukerman et al., 1997; Schläppi, 2006; Cao et al., 2011).

In addition, the 1001 Genomes Project is advancing GWAS. As discussed above, the first phase of GWAS in Arabidopsis has been based on a set of 216k tag SNPs, which were estimated to predict >90% of all common variants (Kim et al., 2007; Horton et al., 2012). It is simple to call the same SNPs in any of the accessions of the 1001 Genomes Project and to include any line that has not been array genotyped into GWAS projects that makes use of the 216k tag SNP array data. Furthermore, it is possible to accurately impute common variants identified by whole-genome sequencing in array genotyped accessions and GWAS with imputed data detects additional polymorphisms linked to traits under consideration (Cao et al., 2011).

Apart from increasing the chances that sequence differences directly responsible for trait variation are found by GWAS, a major advantage of complete genome sequences is that they support the prediction of activity differences between potentially causal alleles. For example, in coding regions, mutations that disrupt the open reading frame or affect splicing are more likely to affect gene function than codon or silent changes. And among amino acid substitutions, one can estimate how probable it is that a mutation has deleterious effects based on conservation of that amino acid in other species (Ng and Henikoff, 2006).

Complete genome sequences will thus help to tackle one of the major challenges of GWAS, allelic heterogeneity, where several different alleles have similar effects on the trait of question. That independent alleles at the same locus can have the same phenotypic consequences has been known for a quarter of a century, since the first genes responsible for genetic disorders or cancer in humans were cloned (Royer-Pokora et al., 1986; Clark et al., 1989; Botstein and Risch, 2003). In Arabidopsis, the flowering regulators FRIGIDA (FRI) and FLOWERING LOCUS C (FLC) are often partially or completely inactivated, with many of these alleles being found only in single accessions (Johanson et al., 2000; Le Corre et al., 2002; Gazzani et al., 2003; Michaels et al., 2003; Lempe et al., 2005; Shindo et al., 2005; Méndez-Vigo et al., 2011). Drastic mutations that prematurely terminate or partially delete the same open reading frame are found more often than expected by chance in the genomes of different accessions (Cao et al., 2011; Fig. 5). This might be the outcome of positive selection, as is the case for FRI and FLC (Toomajian et al., 2006), or purifying selection being weak or absent. In either case, the presence of multiple alleles with similar effects on a particular phenotype makes the detection of such loci in GWAS analyses difficult since each polymorphism is considered separately (Myles et al., 2009). If, instead, all alleles with similar predicted activity differences were combined or, better yet, if alleles were considered according to their relative degree of activity, this hurdle could be overcome.

Comparison of expected and observed occurrences of 8,133 independent premature stops in 4,263 protein coding genes, considering all genes with >90% coverage in 75 out of 80 accessions. Data are from Cao et al. (2011).

The methods discussed in the preceding paragraph would be a considerable improvement over the strategy that is gaining popularity in humans: the search for an excess of rare variants in candidate genes. In rare-variant-burden methods, rare variants are combined for the purposes of contrasting phenotypically distinct classes of individuals, but functional effects of alleles are ignored, and these methods are not integrated into standard GWAS (Asimit and Zeggini, 2010).

Epigenomic Variation

GWAS in humans, where it is not unusual that tens of thousands of individuals are analyzed, has been successful in detecting many alleles, even with very small effects, but the fraction of the total variation explained by these variants is often only small. This also has been the case for traits such as height that are known to be highly heritable from family studies. Some possibilities are that genetic architecture may be more complex, with many interacting loci, or that rare alleles are more important than anticipated (see above). An alternative explanation, which is en vogue in many circles, is that epigenetic variation unlinked to sequence variants and, hence, not detectable by conventional GWAS is responsible for many phenotypic differences (McCarthy et al., 2008; Manolio et al., 2009).

Tiling array analyses comparing two different pairs of Arabidopsis accessions have shown that these differ in the extent of methylation at individual cytosines. That there are fewer differences in transposable element than genic methylation between natural accessions (Vaughn et al., 2007) agrees with transposable element methylation being more stable in inbred lines (Becker et al., 2011; Schmitz et al., 2011). Methylation differences seem to be largely stable in F1 hybrids (Woo and Richards, 2008; Zhang et al., 2008; Groszmann et al., 2011), but methylation patterns can change at relatively high rates, around 1% or more, in subsequent generations (Vaughn et al., 2007). The fluidity of the genomic methylation landscape after crosses is consistent with RNA-dependent DNA methylation mediated by short interfering RNAs being able to target other loci in trans, as long as these harbor sufficient levels of sequence similarity (Melquist and Bender, 2003). This is substantiated by nonadditive expression levels of short interfering RNAs and correlated effects on DNA methylation in F1 hybrids (Groszmann et al., 2011).

Crosses of wild-type lines to mutant strains with largely demethylated genomes have also revealed a wide range in the stability of epialleles after the causal mutations had been segregated away (Reinders et al., 2009; Teixeira et al., 2009). Consistent with the more labile nature of epialleles, heritability estimates in such lines are considerably lower than they are in natural accessions for the same traits (Roux et al., 2011). Thus, while the large majority of DNA methylation differences is sufficiently stable to account for inheritance within a limited number of generations, it remains unclear how often epialleles can become subject to Darwinian selection and thus make a contribution to long-term evolution. If reversion rates exceed the selective advantage conferred by an epiallele, its frequency in the population will be largely determined by the equilibrium of forward and reverse epimutation rates (Slatkin, 2009; Johannes and Colomé-Tatché, 2011).

In summary, although natural epialleles are often due to nearby structural variation, crosses between divergent accessions can induce new epialleles in trans. While the first class does not pose a problem for conventional GWAS, as such alleles should be tagged by linked sequence polymorphisms, the second class would only be revealed if GWAS would be extended to directly include information on DNA methylation profiles. A different question is whether epialleles are equally, more, or less likely than DNA alleles to reflect adaptation to the local environment.

LEARNING NEW BIOLOGY FROM THE STUDY OF NATURAL VARIATION

While knowledge about the origin and phenotypic effects of sequence polymorphisms is central to understanding how species adapt to their natural environment, most studies of genetic variation in Arabidopsis have probably been motivated by the desire to identify regulatory and other genes that are not present in the common laboratory accessions. An especially original use of natural variation has been the search for second site modifiers of ABA insensitive3 and leafy cotyledon1 mutant phenotypes. Both mutants suffer from impaired seed maturation, and seed viability declines much more rapidly than in wild-type plants. Introgression of the mutant alleles into other accessions identified natural modifiers that can partially suppress the mutant phenotypes, possibly pointing to new regulators of seed maturation (Sugliani et al., 2009). In a similar manner, the CAULIFLOWER (CAL) gene was discovered serendipitously as an enhancer of the apetala1 (ap1) mutant phenotype. CAL and AP1 turned out to be paralogs with an asymmetrical relationship: While AP1 can compensate for loss of CAL activity, the reverse is not true. Thus, in contrast with induced ap1 mutations, natural loss-of-function alleles of CAL have no overt phenotype on their own and are only noticed if AP1 is inactive as well (Bowman et al., 1993; Kempin et al., 1995).

Arabidopsis was used early on to identify genes that control seed dormancy (van Der Schaar et al., 1997). For ease of cultivation, common laboratory accessions had been selected to be early flowering (more below) and to have little dormancy, meaning that seeds would germinate relatively quickly after harvest. The DELAY OF GERMINATION1 (DOG1) locus, the first dormancy QTL cloned, encodes the prototype of a small gene family of unknown molecular function. There is extensive variation in DOG1 expression levels between accessions, suggesting the presence of many functionally distinct alleles of DOG1 (Bentsink et al., 2006). Arabidopsis accessions also remain an important resource for functional and evolutionary analyses of large-effect resistance genes (Staskawicz et al., 1995). This is a large area for which there are several recent in-depth reviews (Nishimura and Dangl, 2010).

Below, I will discuss three naturally variable traits in some more detail: trichome density, which provides a paradigm for how information from multiple genome sequences can be used to pinpoint causal polymorphisms; glucosinolate content, which has an underlying biochemical pathway with variation at almost every step; and the onset of flowering, a developmental trait with a well-understood molecular basis.

Trichome Density

Early studies by Rodney Mauricio and Mark Rausher came to the conclusion that both physical defenses in the form of leaf hairs (trichomes) and chemicals (glucosinolates) reduce herbivore damage to Arabidopsis in the field but that these are not without costs (Mauricio and Rausher, 1997; Mauricio, 1998). Several genes have been identified as affecting trichome density of natural Arabidopsis accessions. The most dramatic effects are seen in accessions that are glabrous, that is, lack trichomes completely, and at least two different loss-of-function mutations at GLABRA1 (GL1) have been found. Whether a fitness trade-off, as suggested for other defense traits, underpins the GL1 polymorphisms is unknown. Balancing selection, however, which is often taken as a sign of trade-offs, does not appear to be responsible for maintaining different GL1 alleles (Hauser et al., 2001). Glabrousness caused by inactivating mutations in GL1 also segregates in A. lyrata and Arabidopsis halleri populations (Hauser et al., 2001; Kärkkäinen and Ågren, 2002; Kivimäki et al., 2007; Kawagoe et al., 2011).

A less extreme phenotype of reduced trichome density is caused in some Arabidopsis accessions by a nonsynonymous substitution in MYC1 (Symonds et al., 2011). As another warning to population geneticists, one of the exons was found to exhibit a strong signal of divergent selection, with many amino acid substitutions. However, this signal was not correlated with trichome density.

Other accessions have increased trichome number relative to the Col-0 reference accession, and ENHANCER OF TRY AND CPC2 (ETC2) has been identified as the causal gene (Hilscher et al., 2009). ETC2, MYC1, and GL1 all encode transcription factors, with GL1 promoting and ETC2 repressing trichome formation by competing for interaction with common partners, a group of basic helix-loop-helix proteins that includes GL3 and MYC1 (Ishida et al., 2008). In contrast with MYC1, the high- and low-activity variants of ETC2 segregate at intermediate frequencies, indicating that ETC2 is a major determinant of natural variation in trichome number. ETC2 very likely corresponds to one of the first QTL that was mapped in Arabidopsis, REDUCED TRICHOME NUMBER (Larkin et al., 1996), and consistent with alleles of different activity being common, ETC2 can also be detected by GWAS (Atwell et al., 2010). Notably, it had initially been suggested that ETC2 has only a minor role in trichome formation, a conclusion that came from studies done with common accessions that have an ETC2 allele without obvious disruptions but with nevertheless low activity.

The work on ETC2 is noteworthy because of how the causal polymorphism was first pinpointed using a strategy that should be broadly applicable. To triangulate the causal region in the final mapping interval, accessions with either very high or very low trichome densities were selected, and the extent of haplotype sharing in each group was compared, which identified a small region with only two candidate polymorphisms (Hilscher et al., 2009). Transformation with chimeric transgenes provided conclusive support that one of the variants, a nonsynonymous mutation, was reducing the activity of ETC2. With the resources of the 1001 Genomes Project, these types of local association studies should become a common strategy for the endgame in identifying QTL after conventional mapping in F2 or similar populations.

Glucosinolate Content

In addition to the gene-for-gene resistance loci that are effective against individual pathogen strains (for review, see Nishimura and Dangl, 2010), Arabidopsis accessions also show quantitative variation in resistance, in particular against herbivorous insects. As with trichomes, chemical defenses in the form of a Brassicaceae-specific class of secondary metabolites, the glucosinolates, can reduce herbivore damage (Blau et al., 1978). There are considerable inter- and intraspecific differences in the repertoire of glucosinolates, which are hydrolyzed by the enzyme myrosinase into the active defense compounds (Kliebenstein et al., 2005). In Arabidopsis, METHYLTHIOALKYLMALATE SYNTHASE (MAM) and AOP are the two major loci responsible for variation in glucosinolate biosynthesis, with additional contributions from the GSL-OH locus (Kliebenstein et al., 2001; Kroymann et al., 2001, 2003). Hydrolysis of the glucosinolates is further affected by the polymorphic EPITHIOSPECIFIER PROTEIN and EPITHIOSPECIFIER MODIFIER1 loci (Lambrix et al., 2001; Zhang et al., 2006). In other Brassicaceae, several of the same genes are responsible for intraspecific variation in glucosinolate content, including A. lyrata (Li and Quiros, 2003; Heidel et al., 2006).

Notably, both the MAM and AOP loci are complex, with several tandem arrayed genes that vary in presence, enzyme activity, or expression level between accessions, giving rise to more than two alternative allelic states, processes that are apparently driven by positive selection (Kliebenstein et al., 2001; Kroymann et al., 2001, 2003). At least MAM shows a similar pattern of diversity created by gene duplication and neofunctionalization between other members of the Arabidopsis genus as well as closely related genera (Benderoth et al., 2006).

The detailed understanding of the control of glucosinolate accumulation in turn supports research into broader questions of genetic variation, such as the importance of stochastic variation, which was found to be genetically encoded as well (Jimenez-Gomez et al., 2011).

Flowering Time

Seed production is one of the most important components of fitness, and to optimize seed set, plants need to flower at the right time of year. In agreement with Arabidopsis is found in places with very different growing seasons, natural accessions differ greatly in their flowering behavior. Beginning with Laibach (1943, 1951), several investigators reported flowering variation not only in inbred accessions, but also in individuals collected from the wild (Napp-Zinn, 1957; Cetl et al., 1968; Jones, 1971; Westerman, 1971). That this trait is under selection has also been inferred from population genomics analyses (Flowers et al., 2009) and from the finding of latitudinal and altitudinal clines, likely due to covariation of flowering time with climatic factors (Caicedo et al., 2004; Stinchcombe et al., 2004; Lempe et al., 2005).

FRI and the epistatically acting FLC gene are responsible for a large fraction of flowering time variation in Arabidopsis accessions when these are not exposed to a winter-like vernalization treatment. FRI promotes expression of the FLC transcription factor, which directly represses genes with positive roles in flowering (Li et al., 2008; Deng et al., 2011). Allelic variation at FLC likely accounts for flowering time differences in other Brassicaceae as well, including Capsella bursa-pastoris and some, but not all, Brassica species (Long et al., 2007; Razi et al., 2008; Slotte et al., 2009; Zhao et al., 2010). A role for FRI in flowering time variation in A. lyrata and Brassica napus has been inferred from association studies (Kuittinen et al., 2008; Wang et al., 2011).

Flowering time control is one of the most intensively investigated developmental processes in Arabidopsis, and well over 100 genes are known to affect flowering, with many having substantial pleiotropic effects on plant growth (Srikanth and Schmid, 2011). Remarkably, only one gene with very few nonflowering phenotypes, the central flowering activator FT, has been shown to contribute extensively to flowering time variation between Arabidopsis accessions (Schwartz et al., 2009; Li et al., 2010; Huang et al., 2011; Salomé et al., 2011b; Strange et al., 2011). QTL studies have implicated FT as being the cause of flowering time differences also in B. napus (Long et al., 2007).

TOWARD AN UNDERSTANDING OF THE FORCES SHAPING GENETIC VARIATION

Apart from extending our knowledge of biological mechanisms and pathways in Arabidopsis, a major motivation for studying genetic variation is to understand how a species adapts to different local environments, which traces adaptation leaves in the genome, and how this leads to the formation of new species. In this section, I describe how genome analyses have provided insights into the history of the species, what is being learned about epistatic interactions between alleles from different genomes, and how evidence for local adaptation is emerging.

In continental Eurasia, identical multilocus genotypes are almost exclusively found only in the same local patches of Arabidopsis individuals (Picó et al., 2008; Bomblies et al., 2010; Lewandowska-Sabat et al., 2010; Platt et al., 2010). Exceptions are the British Isles and North America. In both regions, one specific genotype is found in many different places. For North America, recent and widespread, but uneven, introduction by European settlers has been suggested as the most likely cause; this scenario is compatible with the absence of genetic isolation by distance in North America (Platt et al., 2010).

Superior performance in heterozygous F1 hybrids is known as heterosis or hybrid vigor. Heterosis in Arabidopsis is generally not as dramatic as in other species, but heterotic QTL for biomass and metabolites have been identified by backcrossing RILs derived from two inbred accessions to the founders (Syed and Chen, 2005; Kusterer et al., 2007; Lisec et al., 2009; Meyer et al., 2010). There is also extensive evidence for nonadditive, or epistatic, effects on gene expression in intra- and interspecific hybrids (Wang et al., 2006; Zhang and Borevitz, 2009; Zhang et al., 2011). In both stable allotetraploids and F1 hybrids of Arabidopsis × arenosa, circadian gene expression programs are altered, and a similar trend is apparent in F1 hybrids between two Arabidopsis accessions that exhibit hybrid vigor. The heterotic effects are mediated by central regulators of the circadian clock (Ni et al., 2009), although the proximate causes that alter activity of these regulators, and their relationship to the heterosis QTL identified in the same cross before, remain unknown.

Inferior performance of F1 hybrids is known as hybrid weakness or incompatibility, with extreme cases presenting as hybrid sterility or lethality. In addition, a decline in fitness of later generations is called hybrid breakdown or inbreeding depression (Hochholdinger and Hoecker, 2007; Charlesworth and Willis, 2009; Bomblies, 2010) A commonly observed incompatibility phenomenon is cytoplasmic male sterility (CMS), due to a mismatch between nuclear genes that encode proteins active in mitochondria and the mitochondrial genome (Fujii and Toriyama, 2008). Despite well over 1,000 different interaccession crosses having been examined (Bomblies et al., 2007), CMS has not yet been reported in Arabidopsis, even though weak CMS has been observed in A. lyrata (Leppälä and Savolainen, 2011). The most common obvious defect in F1 hybrids of Arabidopsis appears to be an autoimmune syndrome, hybrid necrosis, that is also known from many other plants.

Hybrid necrosis can often be explained by one or two epistatically interacting loci (Bomblies et al., 2007; Bomblies and Weigel, 2007). At least one of the genes causal for hybrid necrosis in Arabidopsis encodes an immune receptor of the NB-LRR class (Bomblies et al., 2007), consistent with the identification of immune genes underlying hybrid necrosis in other species (Krüger et al., 2002; Jeuken et al., 2009; Yamamoto et al., 2010). The NB-LRR family is the most variable gene family in plants, with genes often being found in clusters that have a complex history of gene duplication, deletion, and gene conversion. NB-LRR genes are engaged in recognition of diverse proteins (Nishimura and Dangl, 2010), providing an intuitive explanation for why hybrid necrosis is so common. In a broader context, hybrid necrosis is a manifestation of the costs of disease resistance (Tian et al., 2003).

In some instances, hybrid necrosis becomes only expressed in the F2 generation (Alcázar et al., 2009). In one such case, one of the causal genes encodes a receptor kinase homolog, with evidence of positive selection for disease resistance having increased the frequency of this allele in Central Asia (Alcázar et al., 2010). A receptor-kinase-like gene of a different class is responsible for an incompatibility that primarily causes growth defects. This specific case involves an interaction between alleles at a single locus with similar properties as many NB-LRR loci, namely being composed of a highly variable tandem array of genes (Smith et al., 2011). Notably, not every highly variable gene family appears to cause problems in hybrids. Cytochrome P450s, which are important for plant insect defense and are produced by one of the most highly variable gene families (Clark et al., 2007; Cao et al., 2011), have so far not been tied to hybrid weakness, perhaps because they are not designed to interact with a diverse set of other proteins.

Experimental Ecology and Ecological Genomics

The worldwide distribution of Arabidopsis can be well described by climatic range boundaries; these indicate that laboratory conditions commonly used for growth of Arabidopsis are at the extreme end of its normal habitats, which are normally much cooler and drier (Hoffmann, 2002). This has important implications for interpreting phenotypic differences observed in the greenhouse. For example, strains with differential activity of the key flowering regulators FRI and FLC, known to vary in many accessions, only differ strongly in their flowering behavior outdoors when germinated at specific times of the year, with a critical period in early fall having a disproportionately large effect on flowering time, namely, whether plants overwinter (Wilczek et al., 2009). Such knowledge is essential if one wants to predict responses to a changing climate (Wilczek et al., 2010). Furthermore, by culturing plants in seminatural settings, in which either variable light and temperature conditions are reproduced in climate chambers or plants are germinated in the greenhouse, then transplanted outdoors, one can detect QTL that are not found when plants are grown in a uniform environment. Whether either type of QTL is more relevant is unclear and can only be addressed by phenotyping truly naturally growing individuals. Nevertheless, analysis in seminatural conditions provides insights into the genetic basis of traits considered to be indicative of fitness, such as germination, survival, fruit and seed number, or competitiveness (Weinig et al., 2002, 2003a, 2003b; Stinchcombe et al., 2004; Donohue et al., 2005; Li et al., 2006; Brachi et al., 2010; Huang et al., 2010b; Li et al., 2010; Fournier-Level et al., 2011).

Different experimental approaches are beginning to reveal local adaptation in Arabidopsis. When 74 accessions were monitored in the greenhouse under different temperatures, it was found that accessions from cold regions respond in their growth more strongly to elevated temperatures than accessions from warm regions, which are only moderately inhibited by colder temperatures (Hoffmann et al., 2005). Systematic correlation of phenotypes with environmental gradients can indicate adaptation (Endler, 1977), and there are also latitudinal clines in light sensitivity and altitudinal clines in flowering-related traits (Maloof et al., 2001; Méndez-Vigo et al., 2011). It has been similarly proposed that populations of Arabidopsis near oceans or saline soils are more likely to carry an allele at the HKT1 locus that increases sodium accumulation in leaves (Baxter et al., 2010). However, the accessions investigated were unevenly sampled, information about soil salinity at the places of origin was not available, and the relationship between compromised activity of HKT1 and salt tolerance is complex (Mäser et al., 2002; Berthomieu et al., 2003). Thus, the conclusions about adaptation to salinity should be taken with the proverbial grain of salt.

Reciprocal transplantation experiments have produced evidence for local adaptation in A. lyrata (Leinonen et al., 2009, 2011). Somewhat surprisingly, this approach, a gold standard in ecology (Turesson, 1922a), has so far only been sparingly applied in Arabidopsis. This has recently been remedied, with an impressive study in which hundreds of accessions were grown at several different places in the native range of the species (Fournier-Level et al., 2011). Alleles associated with superior fitness at each site were most likely to be found in accessions originating near that site. GWAS identified several candidates for survival and fruit number, although only one, the photoreceptor gene PHYB, which affects light response, can be easily connected to local adaptation based on prior knowledge. Additional evidence for local adaptation comes from GWAS for climate variables at the place of origin combined with fitness tests at a single site (Hancock et al., 2011). Both of these studies were carried out predominantly with accessions from the western European and Scandinavian part of the native range, and it will be interesting to repeat these experiments with a broader spectrum of accessions and test locales.

OUTLOOK

Our knowledge of natural variation in Arabidopsis has advanced tremendously in the past decade, with an impressive set of genetic and genomic approaches and resources that are now available (Fig. 6). In the near future, the simultaneous application of different strategies will lead to genetic variation increasingly informing basic plant biology. Combined analyses of global transcript and metabolite levels and biomass across accessions and RIL populations is supporting the reconstruction of functional networks (Wentzell et al., 2007; Lisec et al., 2008; Rowe et al., 2008; Sulpice et al., 2009, 2010). Integration of QTL data with such information has shown that in addition to biosynthetic and metabolic enzymes, upstream transcription factors of the MYB class contribute to diversity in glucosinolate content (Sønderby et al., 2007) and that the clock gene ELF3 has a role in shade avoidance (Jiménez-Gómez et al., 2010). Another instructive example of how natural variation can help to discover a new regulatory pathway comes from the study of xylem expansion (Sibout et al., 2008). The authors noted that the xylem expansion loci colocalized with flowering time QTL, which led them to hypothesize that the onset of flowering causes xylem expansion in both the shoot and the root. They subsequently confirmed such a model by transiently inducing the activity of a central floral regulator. There is similarly great promise in GWAS with the same material to identify cases of pleiotropic action of natural sequence variants.

I have also highlighted the many opportunities Arabidopsis offers for the study of interactions between divergent genomes, which may both promote or reduce outcrossing, and thereby affect the partitioning of genetic diversity into different lineages (and ultimately into different species). So far, the parents for the investigated crosses have largely been chosen randomly. With increasing information about the genome-wide and population-specific distribution of sequence polymorphisms, more judicious and systematic choices of genotype combinations should accelerate the pace with which we can obtain insights into the fascinating questions of hybrid performance.

Supplemental Data

Acknowledgments

I thank Eunyoung Chae, Sang-Tae Kim, and George Wang for plant images; Joy Bergelson, Carlos Alonso-Blanco, Jun Cao, Karl Schmid, and George Wang for help in producing the map of Arabidopsis accessions; and Annie Schmitt and Joy Bergelson for preprints. I am especially grateful to three anonymous reviewers, who provided insightful comments and helped to correct several oversights in the original manuscript.

Footnotes

↵1 This work was supported in part by Framework Programme 7 Collaborative Project AENEAS (contract Knowledge Based BioEconomy-2009–226477), by TRANSNET of the Bundesministerium für Bildung und Forschung program PLANT-Knowledge Based BioEconomy, by Schwerpunktprogramm 1529 “Adaptomics” and Schwerpunktprogramm 1530 “Flowering Time Control” of the Deutsche Forschungsgemeinschaft, by a Gottfried Wilhelm Leibniz Award of the Deutsche Forschungsgemeinschaft, and by the Max Planck Society.

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